A financial modeling tutorial on the CAPM model and how active portfolio managers use the Capital Asset Pricing Model to set expected return on a stock in the Quant 101 data analytics course.
Find the video transcript and Excel formulas here:
https://factorpad.com/fin/quant-101/c...
Zoom straight to the section you are interested in here:
00:50 - Video Outline
01:37 - Step 1 - Setting Expected Returns on Stocks
03:11 - Step 2 - Find Beta with Excess Returns
07:07 - Step 3 - The CAPM Model
11:04 - Step 4 - The Active Management Process
15:27 - Summary
17:03 - Step 5 - Next: Excel's LINEST function
For the Outline to the Quant 101 Series see:
https://factorpad.com/fin/quant-101/q...
See our other learning resources at:
https://factorpad.com
Happy Learning!
Watch video How to find expected return on a stock using the CAPM model | Financial Modeling Tutorials online, duration hours minute second in high quality that is uploaded to the channel FactorPad 31 May 2018. Share the link to the video on social media so that your subscribers and friends will also watch this video. This video clip has been viewed 24,051 times and liked it 153 visitors.